Python-Driven Fixed-Income Risk Analyst

DoubleLine, LP

Los Angeles, Northern (CA, KY)

Hybrid

USD 85,000 - 105,000

Full time

11 days ago
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Benefits offered by this job

Annual discretionary bonus
Comprehensive benefits package

Job summary

DoubleLine, LP in Los Angeles, CA is seeking an Experienced Risk Analyst to join a fast-paced fixed-income team working with analysts, traders and portfolio managers. You will develop analytical solutions, scrutinize data sets, and present findings to support investment decisions.

The role emphasizes risk assessment across asset classes and clear communication of insights, with a strong focus on financial market research and timely reporting.

Qualifications

  • Bachelor’s degree and 1+ years of experience in the fixed-income industry.
  • Strong technical skills in Python and R.
  • Experience using generative AI or LLMs for coding, research, data analysis, or other work in professional or academic settings is preferred.
  • Knowledge of fixed-income subject matters and risks.
  • Ability to prioritize time and tasks effectively and meet deadlines.
  • Ability to present analysis clearly and effectively.
  • Excellent interpersonal, written and verbal communication skills.
  • Team-oriented and must possess strong integrity and professionalism.

Responsibilities

  • Conduct surveillance of primarily fixed-income positions and track evolving risk factors.
  • Develop and maintain analytical solutions to scrutinize large data sets.
  • Interact with portfolio managers, traders and other analysts to perform collaborative projects.
  • Prepare reports for internal portfolio management, external clients and consultants in a timely manner.
  • Carry out top-down and bottom-up research.

Skills

Python
R
Generative AI

Education

Bachelor's degree

Tools

Python
R

Job description

DoubleLine, LP in Los Angeles, CA is seeking an Experienced Risk Analyst to join a fast-paced fixed-income team working with analysts, traders and portfolio managers. You will develop analytical solutions, scrutinize data sets, and present findings to support investment decisions.

The role emphasizes risk assessment across asset classes and clear communication of insights, with a strong focus on financial market research and timely reporting.

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